top of page

News & Views



Weekly Market Review - 17-03-2025
This week’s review highlights a mixed performance across major markets, a surprise GDP dip in the UK, moderating U.S. inflation, and central bank caution. We also explore key ESG developments, including big tech's nuclear energy pledge, and rising geopolitical tensions as Trump prepares peace talks with Putin. Plus, what to watch ahead of key Fed and Bank of England decisions.
Mar 174 min read


February Monthly Market Review
Markets trended sideways in February amid rising inflation and geopolitical uncertainty. The Balanced portfolio returned -0.37% as UK and EU rate cuts contrasted with the US Fed’s cautious stance. Inflation rose across regions, with UK CPI hitting 3.00% and the ECB reassuring that disinflation remains on track. While developed and emerging markets showed mixed performance, China led gains. Volatility persists, but history suggests potential progress as the year unfolds.
Mar 34 min read
bottom of page